Mirae Asset India Equity Fund - Direct Plan - Dividend

5
Latest NAV

37.7030

11 Dec 2019

Day Change

↑ 0.39%

11 Dec 2019

Category

Equity Scheme Multi Cap Fund


Mirae Asset India Equity Fund Details

Fund House:Mirae Asset Global Investments (India) Pvt. Ltd.
Scheme Name:Mirae Asset India Equity Fund
Launch Date:11 Feb 2008
Duration:Open Ended
Category:Equity Scheme
Type: Multi Cap Fund
Minimum Investment:Regular Rs.5000/- & Institutional Rs. 5 Crores

Mirae Asset India Equity Fund Historical NAV

DateDayNAV
11 Dec 2019Wednesday₹ 37.7030
10 Dec 2019Tuesday₹ 37.5570
09 Dec 2019Monday₹ 37.8390
06 Dec 2019Friday₹ 37.8090
05 Dec 2019Thursday₹ 38.1590
04 Dec 2019Wednesday₹ 38.2000
03 Dec 2019Tuesday₹ 38.0750
02 Dec 2019Monday₹ 38.2460
29 Nov 2019Friday₹ 38.3580
28 Nov 2019Thursday₹ 38.6220
27 Nov 2019Wednesday₹ 38.3730
26 Nov 2019Tuesday₹ 38.2050
25 Nov 2019Monday₹ 38.3320
22 Nov 2019Friday₹ 37.8460
21 Nov 2019Thursday₹ 37.9550
20 Nov 2019Wednesday₹ 38.1040
19 Nov 2019Tuesday₹ 37.8430
18 Nov 2019Monday₹ 37.6980
15 Nov 2019Friday₹ 37.6950
14 Nov 2019Thursday₹ 37.5050
13 Nov 2019Wednesday₹ 37.4390
11 Nov 2019Monday₹ 37.7780
08 Nov 2019Friday₹ 37.7620
07 Nov 2019Thursday₹ 37.9800
06 Nov 2019Wednesday₹ 37.8230
05 Nov 2019Tuesday₹ 37.6670
04 Nov 2019Monday₹ 37.8560
01 Nov 2019Friday₹ 37.8170
31 Oct 2019Thursday₹ 37.7530
30 Oct 2019Wednesday₹ 37.4880
29 Oct 2019Tuesday₹ 37.2420
25 Oct 2019Friday₹ 36.5890
24 Oct 2019Thursday₹ 36.4620
23 Oct 2019Wednesday₹ 36.6130
22 Oct 2019Tuesday₹ 36.5710
18 Oct 2019Friday₹ 36.6160
17 Oct 2019Thursday₹ 36.3340
16 Oct 2019Wednesday₹ 35.8600
15 Oct 2019Tuesday₹ 35.8220
14 Oct 2019Monday₹ 35.5510
11 Oct 2019Friday₹ 35.3850
10 Oct 2019Thursday₹ 35.2600
09 Oct 2019Wednesday₹ 35.5860
07 Oct 2019Monday₹ 34.9330
04 Oct 2019Friday₹ 35.0680
03 Oct 2019Thursday₹ 35.5450
01 Oct 2019Tuesday₹ 35.6610
30 Sep 2019Monday₹ 36.1120
27 Sep 2019Friday₹ 36.3490
26 Sep 2019Thursday₹ 36.4850
25 Sep 2019Wednesday₹ 36.0240
24 Sep 2019Tuesday₹ 36.5760
23 Sep 2019Monday₹ 36.6490
20 Sep 2019Friday₹ 35.7570
19 Sep 2019Thursday₹ 33.9470
18 Sep 2019Wednesday₹ 34.4130
17 Sep 2019Tuesday₹ 34.2800
16 Sep 2019Monday₹ 34.9270
13 Sep 2019Friday₹ 35.1250
12 Sep 2019Thursday₹ 34.8980
11 Sep 2019Wednesday₹ 34.9700
09 Sep 2019Monday₹ 34.8250
06 Sep 2019Friday₹ 34.6880
05 Sep 2019Thursday₹ 34.4160
04 Sep 2019Wednesday₹ 34.3220
03 Sep 2019Tuesday₹ 34.1920
30 Aug 2019Friday₹ 34.8810
29 Aug 2019Thursday₹ 34.6220
28 Aug 2019Wednesday₹ 34.8230
27 Aug 2019Tuesday₹ 35.0210
26 Aug 2019Monday₹ 34.7620
23 Aug 2019Friday₹ 34.0940
22 Aug 2019Thursday₹ 33.8700
21 Aug 2019Wednesday₹ 34.3170
20 Aug 2019Tuesday₹ 34.6440
19 Aug 2019Monday₹ 34.7720
16 Aug 2019Friday₹ 34.7230
14 Aug 2019Wednesday₹ 34.6360
13 Aug 2019Tuesday₹ 34.3030
09 Aug 2019Friday₹ 34.8930
08 Aug 2019Thursday₹ 34.7360
07 Aug 2019Wednesday₹ 34.2740
06 Aug 2019Tuesday₹ 34.5380
05 Aug 2019Monday₹ 34.1990
02 Aug 2019Friday₹ 34.6180
01 Aug 2019Thursday₹ 34.6700
31 Jul 2019Wednesday₹ 34.9970
30 Jul 2019Tuesday₹ 34.8480
29 Jul 2019Monday₹ 35.2570
26 Jul 2019Friday₹ 35.5700

Funds under same scheme: